based in Phoenix requires a Junior Management Accountant to assist senior management in making critical various business units Support the management accounting function by providing accurate and timely financial teams to ensure compliance with international accounting standards Assist in the development and implementation experience doing the management accounting Bachelor's degree in accounting or a related field CIMA will
Ref: AH 415867 - Commercial Account Exec (Short-Term Insurance Commercial Broker) Employer Description areas. Job Description Position Overview: The Account Executive builds a client base by identifying potential knowledge of products and providers is necessary. The Account executive is responsible for complete and accurate policies and entered the system. Underwriting and accounts department notified timeously of policy activations experience in a similar Short Term Insurance Sales/Accounts Executive/Broker role within Commercial Short
retailer based in Phoenix requires a Treasury Accountant to join their team. Monitors the cash flow of Ensure the efficient management of company's bank accounts Maintain and manage all financial records, logs and returns Ensure conformity of company' bank account with IFR Standards. Reconciling of bank statements statements against the GL, and clearing accounts assigned Provide inputs and advice to company. This could ensuring tasks are completed on schedule. BSc. in Accounting, or in any relevant field At least one year of
has a vacancy available for a senior Financial Accountant. Candidates must have a BCom Degree and preferably
The Account Manager position is primarily focused on management and servicing of existing accounts plus acquisition of new accounts in a specific territory (30% new acquisition and 70% account management and service) support of direct reports Focus on account acquisition and account management including ongoing service support, and sales development to respective accounts. Liaise with Sector Managers on a regularly to opportunities. Monitoring and reporting of all accounts utilizing the corresponding tools, such as Salesforce
Are you an experienced and detail-oriented accountant looking for a new opportunity in the heart of Cape Southern suburbs ? Look no further An astute accounting firm is seeking a qualified, skilled and dedicated individual to join our team as an Accountant. A leading accounting firm, renowned for its commitment services is looking for an accountant that has multiple client or group accounting experience . Key Duties and reconciling of Petty Cash and cash control accounts • Keeping of a fixed asset register • General
preparation biannually Matric Diploma or Degree in Accounting/Financial Knowledge of Pastel Evolution Own relaible
PURPOSE OF THE JOB: We are looking for Virtual Sales Account Managers to join our telecommunications campaign handover of successfully onboarded customers to an account manager o Create ongoing rapport with business email etiquette • Strong relationship building, account planning and process competence skills • Telecommunications
We are recruiting for a FACTORY COST ACCOUNTANT for our client within the automotive industry located in PE Factory. PURPOSE OF THE JOB To process accounting and financial documentation to enable reporting Import cost files and submit summary to Management Accountant for update to SAP. Assist and support in scanning scanning / other projects. Stand in for Management Accountant in his absence. Assist with correction and maintenance Management Accounting or related fields (NQF 6). Honours Degree in Finance / Management Accounting or related
nationwide firm of Chartered Accountants & Auditors, seeks your senior accounting experience to prepare for each client. The Person: B.Com Degree or Accounting Diploma. SAICA/SAIPA Articles a definite advantage Min 3 to 4 years bookkeeping experience in an Accounting Firm. The Job: Reporting to the Partner: Client Bookkeepers, which includes ensuring that the clients accounts are reconciled timeously (monthly) and accurately end journal entries and reconciliations. Update accounting records from source documents. Review trial balances